London's Pulse: Medical Officer of Health reports 1848-1972

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St Giles (Camberwell) 1877

[Report of the Medical Officer of Health for Camberwell]

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86 87

GENERAL RATE.

Dr.Cr.
Receipts.£sdExpenditure.£sd
To Cash Balance, March 26th, 1877, as per last Annual Report (page 115)6,0851011½NEW ROADS.
By Cash to Contractors for making New Roads11,24812
„ Overseers, Order of Vestry, 187742,500100
INTEREST.NEW ROADS.
To Cash Interest on Deposit Account7711By Cash Returned to Owners, being the difference between the Apportioned and Actual Cost24814
RENT ACCOUNT.
To Cash1840
NEW ROADS.MATERIALS.
By Cash to Contractors6,8441411
To Cash of Owners14,43925SLOPPING and WATERING.
„ Costs350
„Re Collyer road5168By Cash to Contractors1,39677
REPAIRS to ROADS after OPENING TRENCHES.SLOPPING and WATERING, Works Account.
To Cash401135
SCAFFOLD LICENSES.By Cash1,307159
SLOPPING and WATERING, Working Expenses.
To Cash on Deposit111100
SUNDRY ACCOUNTS.
By Cash4,392010
To Cash851510SLOPPING and WATERING, Plant Account.
REPAIRS to ROADS.
To Cash9126By Cash2,52041
Carried forward63,6678Carried forward27,95717